




Job Summary: We are seeking a Treasurer for a small commercial company, responsible for cash management and credit analysis. Key Responsibilities: 1. Comprehensive treasury and cash flow management. 2. Credit evaluation and analysis for financial decision-making. 3. Management of banking platforms and online financial operations. Flexwork LIMA**S/. 1,550****Flexwork** Verified Company**LIMA** LIM, PE**S/. 1,550** per month**Full-time** Work Mode**TREASURER** ============ **Flexwork*** LIMA TREASURER COMPANY: LIMSU PERU GROUP SAC. LIMSU PERU GROUP SAC, a small commercial company, is seeking a TREASURER. Profile: University or institute student in the final years of an accounting program. Requirements: ✔ Certified experience in cash reconciliation Proven experience in cash audits and reconciliation, daily income and expense control, cash movement reconciliation, and verification of supporting documents, ensuring accurate consistency between accounting records and physical cash. ✔ Certified experience in credit analysis Experience in credit evaluation and analysis, review of clients’ financial history, assessment of repayment capacity, and handling of credit information for financial decision-making. ✔ Knowledge of banking platforms Proficiency in digital banking platforms of financial institutions, including transaction inquiry, payment validation, fund transfers, bank reconciliations, and management of online financial operations. Working Hours: Monday to Friday: 9:00 a.m. – 7:00 p.m. Saturday: 9:00 a.m. – 1:00 p.m. Salary: S/ 1,550.00 Office: Jr. Puno 1625, Lima Benefits: Formal payroll (REMYPE). Contact: +51 922 477 594 Emelyn Camayo


